Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Ownership | Footnotes |
---|---|---|---|---|---|---|---|---|---|---|---|
transaction | Z AND ZG | Class C Capital Stock | Options Exercise | $2.13M | +55K | +63.33% | $38.78 | 142K | Feb 27, 2025 | Direct | |
transaction | Z AND ZG | Class C Capital Stock | Sale | -$3.9M | -50K | -35.22% | $78.14 | 91.9K | Feb 27, 2025 | Direct | F1 |
transaction | Z AND ZG | Class C Capital Stock | Sale | -$396K | -5.04K | -5.49% | $78.58 | 86.9K | Feb 27, 2025 | Direct | F2 |
transaction | Z AND ZG | Class C Capital Stock | Award | $0 | +43.3K | +49.89% | $0.00 | 130K | Feb 27, 2025 | Direct | F3 |
Type | Sym | Class | Transaction | Value $ | Shares | Change % | * Price $ | Shares After | Date | Underlying Class | Amount | Exercise Price | Ownership | Footnotes |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
transaction | Z AND ZG | Stock Option (right to buy) | Options Exercise | $0 | -55K | -49.74% | $0.00 | 55.6K | Feb 27, 2025 | Class C Capital Stock | 55K | $38.78 | Direct | F4 |
transaction | Z AND ZG | Stock Option (right to buy) | Award | $0 | +130K | $0.00 | 130K | Feb 27, 2025 | Class C Capital Stock | 130K | $76.32 | Direct | F4 |
Id | Content |
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F1 | The reported price is a weighted average sale price. These shares were sold in multiple transactions at prices ranging from $77.50 to $78.50. The reporting person will provide to the issuer, any security holder of the issuer, or the SEC staff, upon request, full information regarding the number of shares sold at each separate price within the range. |
F2 | The reported price is a weighted average sale price. These shares were sold in multiple transactions at prices ranging from $78.5050 to $78.72. The reporting person will provide to the issuer, any security holder of the issuer, or the SEC staff, upon request, full information regarding the number of shares sold at each separate price within the range. |
F3 | Represents a grant of restricted stock units that will vest as to 1/16th of the total amount of shares subject to the grant on each of the issuer's quarterly vesting dates until the restricted stock units are fully vested. |
F4 | Date at which first vesting occurs is indicated. 1/16th of the total number of shares subject to the option become exercisable at the first vesting date and an additional 1/16th become exercisable on each issuer quarterly vesting date occurring thereafter until the option is fully vested. |